Fast Imaging Fast Imaging is preparing to launch a new high-speed digital video camera. The projected sales price per unit is €2,000. The variable production costs are estimated at £800 per unit. The fixed production costs will be € 7,800,000 per year if less than 12,000 cameras are sold and if we can work in one shift. If the sales volume per year is higher than 12,000 cameras, these fixed production costs will rise to €11,100,000. The sales commission rate is 5% of the sales price. The company has planned an advertising budget of €1,000,000 per year for this product. Question 1: What is the contribution margin per unit? Question 2: What will the breakeven point be if the company produces and sells less than 12,000 cameras? What will the breakeven point be if the company produces and sells more than 12,000 cameras? Question 3: A market study estimates sales of 10,000 cameras if the unit selling price is set at €2,000. What would be the operating profit of the company? Question 4: Fast Imaging estimates that if the price is lowered by 10%, sales would increase by 25% in volume. What would be the company's operating profit then?

Answers

Answer 1

1. The contribution margin per unit of Fast Imaging is €1,200.

2. The Break-even point (in units) is 6,500 units.

3. The operating profit of the company is €4,200,000.

4. Company's operating profit is €4,700,000.

The contribution margin is calculated by subtracting variable production costs from the selling price. Therefore, the contribution margin per unit is: Selling price per unit - Variable cost per unit contribution margin per unit = €2,000 - €800 = €1,200

If the company produces and sells less than 12,000 cameras, its fixed production cost is €7,800,000. Using the formula below, we can calculate the break-even point for the company if it produces and sells less than 12,000 cameras: Break-even point (in units) = Total fixed cost / Contribution margin per unit Break-even point (in units) = €7,800,000 / €1,200 = 6,500 units

If the company produces and sells more than 12,000 cameras, its fixed production cost is €11,100,000. Using the same formula, we can calculate the break-even point for the company if it produces and sells more than 12,000 cameras: Break-even point (in units) = Total fixed cost / Contribution margin per unit break-even point (in units) = €11,100,000 / €1,200 = 9,250 units

If the unit selling price of the camera is €2,000 and 10,000 cameras are sold, the total revenue of the company will be: Total revenue = Selling price per unit × Number of units sold total revenue = €2,000 × 10,000 = €20,000,000The total variable cost will be: Total variable cost = Variable cost per unit × Number of units sold Total variable cost = €800 × 10,000 = €8,000,000. Therefore, the total contribution margin will be Total contribution margin = Total revenue - Total variable cost total contribution margin = €20,000,000 - €8,000,000 = €12,000,000Fixed cost = €7,800,000Operating profit = Total contribution margin - Fixed cost operating profit = €12,000,000 - €7,800,000 = €4,200,000.

The current selling price of Fast Imaging is €2,000. If the price is lowered by 10%, the new selling price will be €1,800. When the price is lowered by 10%, the volume of sales will increase by 25%. Therefore, the new sales volume will be: New sales volume = 10,000 × 1.25New sales volume = 12,500Using the formula below, we can calculate the new total revenue: New total revenue = New selling price per unit × New sales volume total revenue = €1,800 × 12,500 = €22,500,000

Total variable cost will be: Total variable cost = Variable cost per unit × New sales volume total variable cost = €800 × 12,500 = €10,000,000Therefore, the total contribution margin will be: Total contribution margin = New total revenue - Total variable cost Total contribution margin = €22,500,000 - €10,000,000 = €12,500,000Fixed cost = €7,800,000Operating profit = Total contribution margin - Fixed cost operating profit = €12,500,000 - €7,800,000 = €4,700,000The operating profit when the price is lowered by 10% is €4,700,000.

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Related Questions

Read the statements below. If the statement describes an appropriate use of e-mail select A. If the statement describes an inappropriate use of e-mail, select I.

A—Appropriate
I—Inappropriate

__ Courtney sent her expense report to her supervisor in an attachment.

__ George forwarded a chain letter asking for support for a local charity.

__ Fin sent a brief message to his friend about tonight's plans.

__ Sheila denied receiving an e-mail asking her to write a report.

__ Tori scheduled a meeting with her co-worker.

Answers

Answer:

I and A

Explanation:

Courtney sent her expense report to her supervisor in an attachment -- A,George forwarded a chain letter asking for support for a local charity.  --  I.Fin sent a brief message to his friend about tonight's plans. --  I.Sheila denied receiving an e-mail asking her to write a report.  --  I.Tori scheduled a meeting with her co-worker.  -- A

Which problem would be best addressed by a business bank?
A. A college graduate needs to open a checking account with the
lowest fees available.
B. A corporation needs help with cash management for its large
staff.
C. A person with a poor credit history needs a short-term loan to pay
a medical bill.
D. A couple needs to get a mortgage loan to buy a home after
moving to a new city,
SUBMIT

Answers

Answer:

B. A corporation needs help with cash management for its large

staff.

Explanation:

Business banking can be defined as the financial services such as business loans, cash management, lines of credit, trade finance, savings and checking accounts, tax planning, and securities trading provided by a commercial bank to business entities, corporations or companies.

This ultimately implies that, a business bank is only focused on providing financial services to corporations rather than individuals.

Hence, the problem which would be best addressed by a business bank is, a corporation that needs help with cash management for its large

staff.

In a nutshell, a business bank is saddled with the responsibility of meeting the financial needs of corporations found in different sectors such as agriculture, engineering, medical, trade, oil and gas etc.

Answer: B

Explanation:

The net increase (decrease) in cash reported on the statement of cash flows should reconcile the beginning and ending cash balances reported in the comparative balance sheets. True False

Answers

Answer:

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Explanation:

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You open a new bank account at Eastside Savings. You see FDIC stickers around the bank, and the teller specifically mentions that Eastside
Savings is "FDIC Insured". A few months later, you hear on the radio that Eastside Savings is struggling to stay in business. Your savings balance
Is $500. What would happen to that money if Eastside Savings failed?

A.You could lose $250 since FDIC Insurance only covers 50% of the money you have deposited.
B.You would lose all of your money.
C.You would receive $250,000 since FDIC Insurance provides each account at the bank with $250,000 regardless of how much they
have deposited
D.You would receive all the money you have deposited at Eastside Savings since FDIC insurance covers accounts up to $250,000.

Answers

Answer:

The correct option is D. You would receive all the money you have deposited at Eastside Savings since FDIC insurance covers accounts up to $250,000.

Explanation:

Based on the information given what would happen to that money in a situation where Eastside Savings failed is that such individual would receive all the money he/she have deposited at Eastside Savings reason been that FDIC which is fully known as FEDERAL DEPOSIT INSURANCE CORPORATE insurance covers accounts up to the amount of $250,000 and Secondly Eastside Savings is "FDIC Insured".

Jose only car not payment of $436 and a credit card payment of $50 every month. What is the minimum amount of money he must take home every month to avoid being in danger of credit overload

Answers

The minimum amount of money he must take home every month to avoid being in danger of credit overload is $2430. This is further explained below.

What is the minimum amount of money he must take home every month to avoid being in danger of credit overload?

Generally,  The information provided in the question indicates that Jose's monthly expenditures total at least $486 ($436 for the payment on the auto loan and $50 for the monthly payment on the credit card). It is important to include certain additional costs relating to the residence, such as food, which when added together result in $2430; hence, it is the response that is right.

In conclusion, The bare minimum amount of cash that he needs to bring home each month in order to minimize the risk of having an excessive amount of debt is $2,430.

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What are u guys thankful for

Answers

Answer:

God waking me up this morning also thx for asking how bout you

Explanation:

janet is retiring after working for a major department store for 20 years. the company offered her a flat monthly retirement benefit of $50 per year for each year of service. a. what was her monthly income in the first year after retirement? $83.33 b. what was her annual income for the first year of retirement? $50.00 c. after one year of retirement, she received a 1.54% cost of living adjustment to her monthly pension benefit. what was her new monthly benefit?

Answers

After working for 20 years, Janet has decided to retire from her job at a major department store. The company has offered her a flat monthly retirement benefit of $50 for each year of service, which means that her monthly income in the first year after retirement would be $50 multiplied by 20, which is equal to $1000.

However, if we divide this annual income by 12, we can determine her monthly income. So, her monthly income in the first year after retirement would be $1000 divided by 12, which is equal to $83.33. After one year of retirement, Janet received a 1.54% cost of living adjustment to her monthly pension benefit. This means that her monthly benefit would increase by 1.54%.

To calculate her new monthly benefit, we can first find out what 1.54% of her original monthly benefit is. 1.54% of $50 is $0.77. So, we can add $0.77 to her original monthly benefit of $83.33 to find out her new monthly benefit.

Therefore, her new monthly benefit after the cost of living adjustment would be $84.10. This may seem like a small increase, but it is important to consider the impact of inflation and how even a small cost of living adjustment can make a difference over time.

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Suppose Eleanor modifies her portfolio to contain 75% diversified stocks and 25% risk-free government bonds; that is, she chooses combination D. The average annual return for this type of portfolio is 9.5%, but given the standard deviation of 15%, the returns will typical

Answers

Given the portfolio composition of 75% diversified stocks and 25% risk-free government bonds (Combination D), the average annual return is 9.5%. However, due to the standard deviation of 15%, the returns will typically vary.



This type of portfolio offers a balance between risk and return, as the risk-free government bonds help mitigate the overall risk from the diversified stocks. The average annual return of 9.5% is the expected return for this portfolio, which means that on average, the investments are expected to grow at this rate. However, the standard deviation of 15% indicates the degree of fluctuation in the returns.

A higher standard deviation signifies a higher level of risk and uncertainty. In this case, the returns may typically range from -5.5% (9.5% - 15%) to 24.5% (9.5% + 15%). By choosing combination D, Eleanor is striking a balance between achieving potentially higher returns from the stocks and the stability provided by the risk-free government bonds.

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what is the macaulay duration of a 6 percent coupon bond with twelve years to maturity and a current price of $1,062.40? what is the modified duration? (do not round intermediate calculations. round your answers to 3 decimal places.)

Answers

A 6 percent coupon bond has a Macaulay period of 11.327 years with a maturity of twelve years and a current price of $1,062.40. The revised period is 11.321 Years.

Period   cash flow    Period ×       Present value factor    Present value

                                 Cash flow     at 5.28%                      of cash flow

1             60                60              0.950                           $57

2            60                120             0.902                          $ 108

3            60                180             0.857                          $ 154

4            60                240            0.814                           $ 19

5            60                300            0.773                          $ 232

6            60                360            0.734                          $ 264

7            60                 420           0.697                          $ 293

8            60                480            0.662                          $ 318

9            60                540            0.629                          $ 340

10           60                600            0.598                          $ 359

11            60                660            0.568                          $ 375

12           1060             12720        0.734                           $ 9,339

                                                                                          $ 12,034

Macaulay duration = Sum of the present value of cash flows + Bond price

= 11.327 Years

Modified duration = Macaulay duration ÷ (1 + YTM)

= 11.321 Years

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WILL GIVE BRAINLEST ASAP!!!!!! Good afternoon can someone answer this please

WILL GIVE BRAINLEST ASAP!!!!!! Good afternoon can someone answer this please

Answers

The answer is C i took the test

Match each model with its matching example

Sketch

Simulation

Infographic

Graph

A) Pictures of car design options with special highlights


B) An imitation on how to drive a car

C) Results of car safety tests

D) A detailed illustration of a car design

Answers

Answer:

Sketch =  A detailed illustration of a car design

Simulation = An imitation on how to drive a car

Infographic = Pictures of car design options with special highlights

Graph = Results of car safety tests

I just took the test and got all four points

Sketch =  A detailed illustration of a car design, Simulation = An imitation on how to drive a car, Infographic = Pictures of car design options with special highlights, Graph = Results of car safety tests.

What is a Sketch?

A rough drawing sometimes made as an initial study that captures the key features of an object or situation. An early version, as for a literary work. A brief synopsis or description.

A rapid drawing or painting called a sketch lacks finer details. Sketch is another word for drawing a preliminary draft of something. A sketch could also be a quick dramatic performance. A sketch is a preliminary design created by a clothing designer before moving on to the final product.

A sketch is a series of brief, straightforward drawings. An example of a sketch would be a drawing of a garment that the designer plans to sew. A person with humour.

Thus, the statements are matched in the above sentence.

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Navarro Corporation has no debt but can borrow at 6. 6 percent. The firm’s WACC is currently 8. 8 percent and the tax rate is 24 percent.

a. What is the company’s cost of equity? (Do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e. G. , 32. 16. )

b. If the firm converts to 35 percent debt, what will its cost of equity be? (Do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e. G. , 32. 16. )

c. If the firm converts to 60 percent debt, what will its cost of equity be? (Do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e. G. , 32. 16. )

d-1. If the firm converts to 35 percent debt, what is the company’s WACC? (Do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e. G. , 32. 16. )

d-2. If the firm converts to 60 percent debt, what is the company’s WACC? (Do not round intermediate calculations. Enter your answer as a percent rounded to 2 decimal places, e. G. , 32. 16. )

Answers

a. The company's cost of equity can be calculated as the weighted average cost of capital (WACC) minus the tax rate. The WACC is 8.8% * 0.24 = 2.128, and the tax rate is 24%, so the cost of equity is 2.128 - 2.128 = 0%. So, all parts answer is 0%.

b. If the firm converts to 35% debt, the debt-to-equity ratio will increase from 0 to 0.35, and the WACC will remain the same at 8.8%. Therefore, the cost of equity will remain the same at 0%.

c. If the firm converts to 60% debt, the debt-to-equity ratio will increase to 0.6, and the WACC will increase to 8.8 * 0.24 = 2.192. Therefore, the cost of equity will be 0.2192 - 0.2192 = 0%.

d-1. If the firm converts to 35% debt, the debt-to-equity ratio will increase from 0 to 0.35, and the WACC will remain the same at 8.8%. Therefore, the WACC will be 8.8 * 0.24 = 2.128.

d-2. If the firm converts to 60% debt, the debt-to-equity ratio will increase to 0.6, and the WACC will increase to 8.8 * 0.24 = 2.192. Therefore, the WACC will be 2.192 - 2.192 = 0%.  

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If my revenue is one million and my expenses are 1,386,000, what's my profit in percentage

Answers

The profit in percentage given the revenue and the expenses is -38.60%

What is the profit in percentage?

Percentage is the fraction of a number expressed as a value out of 100. The sign that is used to represent percentage is %. In order to convert a number to percentage, multiply by 100.

Profit is the difference between revenue and expenses. Revenue is the total income earned by a company before any deductions are made. Expenses include all the cost incurred in running a business.

Profit = revenue - expenses

1,000,000 - 1,386,000 = -386,000

Profit in percentage = (profit / revenue) x 100

(-386,000 / 1,000,000) x 100 = -38.6%

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providing employees with highly valent outcomes has the potential to reduce turnover. (True or False)

Answers

Providing employees with highly valent outcomes has the potential to reduce turnover by increasing job satisfaction, commitment, and retention.

When organizations prioritize offering highly valent outcomes to their employees, it creates a positive work environment where individuals feel valued and appreciated. These outcomes can take various forms, such as rewards, recognition, and opportunities for growth and development. When employees receive these benefits, they experience a sense of satisfaction and fulfillment in their roles.

This satisfaction leads to increased commitment to the organization, as employees feel more connected and engaged. When individuals are satisfied and committed to their jobs, they are less likely to seek alternative employment opportunities, resulting in reduced turnover rates for the organization. Therefore, providing highly valent outcomes has the potential to positively impact employee retention and decrease turnover.

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How does the organization of the Federal Reserver System Help it perform its functions?

Answers

Answer:

The Federal Reserve System's main duties include conducting national monetary policy, supervising and regulating banks, maintaining financial stability, and providing banking services. The Federal Open Market Committee is the Fed's monetary policy-making body and manages the country's money supply.

Explanation:


1. Summarize in your own words the behavior of the giant firms
in the U.S. (not more than 250 words)

Answers

In the United States, giant firms, also known as large corporations or big businesses, exhibit certain behaviors that distinguish them from smaller companies. These giant firms play a significant role in the U.S. economy and have a substantial impact on various aspects of society.

Firstly, giant firms often dominate their respective industries due to their size, market power, and extensive resources. They have significant market shares and the ability to influence market conditions, including prices, competition, and consumer choices. This dominance can sometimes lead to concerns about monopolistic or oligopolistic practices that may restrict competition and consumer welfare.

Secondly, giant firms tend to have a global presence and operate across multiple markets and regions. Many of these companies have international subsidiaries, engage in cross-border trade, and have extensive supply chains. They leverage economies of scale, advanced technologies, and extensive networks to expand their operations globally, driving economic growth and facilitating international trade.

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ECONOMICS CHAPTER 2 SECTION 3

explain the relationship between the terms in each of these pairs
A. Private property rights and market
B. laissez-faire and capitalism
C. Specialization and profit
D. Factor market and product market

ECONOMICS CHAPTER 2 SECTION 3

Answers

Private property rights  and market is  in which people buy and sell resources or goods and services.

Private property rights are the rights of individuals and groups to own property and the market is any place or situation in which people buy and sell resources and goods and services.

Laissez-faire and capitalism-The relation-ship between laissez-faire and capitalism is laissez-faire is an economic philosophy of free-market capitalism that opposes government intervention.

Specialization and profit- The relation-ship between specialization and profit is the companies specialize in making one product or one component of a product, if this product will make at large scale, companies reduces it's cost to earn profit.

Factor market and product market-  The relation-ship between Factor market and product market is the factor market is running by the demand of product market. The product market is sold their goods and services with the demand of factor market to production these goods and services.

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Laurel contributed equipment worth $200,000, purchased 10 months ago for $250,000 cash and used in her sole proprietorship, to Sand Creek LLC in exchange for a 15 percent profits and capital interest in the LLC. Laurel agreed to guarantee all $15,000 of Sand Creek’s accounts payable, but she did not guarantee any portion of the $100,000 nonrecourse mortgage securing Sand Creek’s office building. Other than the accounts payable and mortgage, Sand Creek does not owe any debts to other creditors.a. What is Laurel’s initial tax basis in her LLC interest?

b. Laurel’s holding period in the partnership interest begins the day the LLC interest is acquired. True or False?c. What is Sand Creek’s initial basis in the contributed property?

d. What is Sand Creek’s holding period in the contributed property?

Answers

Answer: See explanation

Explanation:

a. What is Laurel’s initial tax basis in her LLC interest?

This will be the addition of the $250,000 basis for the equipment, accounts payable of $15,000 and also the $15,000 (15% × $100,000). This will be:

= $250,000 + $15,000 + $15,000

= $280,000

b. True.

Laurel’s holding period in the partnership interest begins the day the LLC interest is acquired. This is due to the fact that the asset contributed isn't a section 1232 asset. The reason for this is due to the fact that the asset was used for a year or less.

c. Sand Creek’s initial basis in the contributed property is $250,000.

d. Ten months.

Sand Creek’s holding period in the contributed property will be 10 months.

What is the function of product and service management? Choose the answer.
2
budgeting for a product development or financing a sale
15
activities or functions associated with promoting and selling a product or service
18
looking at the best ways to meet customers needs
direct communication with customers to help satisfy their purchasing needs

Answers

Answer:

activities or functions associated with promoting and selling a product or service

Explanation:

15 is dah answer

Activities or functions associated with promoting and selling a product or service are the functions of product and service management. The correct option is B.

What is a service management function?

Value delivery to customers and customer relationships are the two main focuses of service management. The interactions of IT technical staff with customers and clients can be organized using the framework provided by service management.

Based on consumer preferences and the state of the market, PSMs guide decisions regarding products and marketing. This prevents businesses from spending money on features they won't actually use. It also aids in marketing by helping to center messaging around the features and advantages that customers have been requesting.

Thus, the ideal selection is option B.

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Which of the following is a style trend?
A. An increase in the population of young parents in a neighborhood
B. The popularity of a new type of jeans
C. An increased concern for protecting the environment
D. The popularity of cell phones that can access the Internet

Answers

Answer:
B

Explanation:

Which of the following is a drawback of adopting a polycentric staffing approach?A) It is expensive to implement.B) It leads host-country managers to make mistakes due to cultural misunderstandings.C) It limits advancement opportunities for host-country nationals.D) It invariably makes a firm suffer from cultural myopia.E) It bridges the gap between the headquarters of a firm and its foreign subsidiaries.

Answers

C) It limits advancement opportunities for host-country nationals.

The polycentric staffing approach is a strategy in which a multinational company hires host-country nationals to manage its subsidiaries in foreign locations. While this approach has its advantages, such as local market knowledge and cultural sensitivity, it also has drawbacks. One significant drawback is that it limits the advancement opportunities for host-country nationals within the company. Under the polycentric staffing approach, key leadership positions are typically filled by employees from the company's home country. This can create a glass ceiling for host-country nationals, limiting their opportunities for career progression to lower-level or middle-level management positions. This can be demotivating for local employees and may lead to a perception of limited growth potential within the company.

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Kiano, a telecommunications equipment manufacturer, manufactures PDAs (P), wireless handsets (H), and blackberrys (B). They have a limited supply of common parts---ethernet card (450 in inventory), antenna (250 in inventory), chipset (800 in inventory), battery/power supply (450 in inventory), LCD screen (600 in inventory)---that these products use. A PDA requites an ethernet card, 2 chipsets, a power supply, and 2 LCD screens. A wireless handset requires an ethernet card, an antenna, 2 chipsets, a power supply, and a LCD screen. A blackberry requires a chipset and a LCD screen. The profit on PDAs is $80, the profit on wireless handsets is $60, and the profit on blackberrys is $35. The following is a linear programming formulation of the problem.
Let
P = Number of PDAs produced
H = Number of wireless handsets produced
B = Number of blackberrys produced
We may write model for this problem as follows.
Maximize 80P + 60H + 35B
subject to:
(ethernet card constraint) P + H ? 450
(antenna constraint constraint) H ? 250
(chipset constraint) 2P + 2H + B ? 800
(power supply constraint) P + H ? 450
(LCD screen constraint) 2P + H + B ? 600
(non-negativity) P, H, B ? 0.
Implement the above model in Solver and make sure to choose Simplex as the solving method and to choose the option "Make Unconstrained Variables non-negative"---do not explicitly put in the non-negativity constraints in the model and using the sensitivity report only
answer the questions below:
a. Does the solution change if only 425 ethernet cards are available?
b. Is it profitable to produce Blackberrys? If not, by how much should the profit margin on Blackberrys be increased to make it profitable to produce Blackberrys?

Answers

determine if the solution changes when only 425 ethernet cards are available, you need to adjust the respective constraint in the model and re-run Solver.

Modify the "ethernet card constraint" to P + H ≤ 425. By solving the modified model, you can compare the new solution to the previous one and observe if any changes occur in the production quantities of PDAs, wireless handsets, and blackberrys. To determine if it is profitable to produce blackberrys, you need to examine the objective function's coefficient for blackberrys in the original model. If the coefficient is positive, it implies a positive contribution to the total profit and indicates profitability. If the coefficient is negative, it implies a negative contribution and suggests that producing blackberrys would result in losses.To calculate the amount by which the profit margin on blackberrys should be increased to make it profitable, you can analyze the shadow price (also known as the dual value) associated with the constraint for blackberrys in the sensitivity report generated by Solver. If the shadow price is greater than the current profit margin of $35, it signifies that increasing the profit margin by at least the value of the shadow price would make blackberrys profitable.

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In 2019, McKenzie purchased qualifying equipment for his business that cost $212,000. The taxable income of the business for the year is $5,600 before consideration of any Section 179 deduction.

a. Calculate McKenzie’s Section 179 expense deduction for 2019 and any carryover to 2020.

b. How would your answer change if McKenzie decided to use additional first-year (bonus) depreciation on the equipment instead of using Section 179 expensing?

Answers

Answer:

A) The cost reduction for 2019 is $5,600. His accumulation to 2020 from Sec 179 is $206,400.

B) The allowance for spending is $0 for 2019. His accumulation to 2020 with Sec 179 is $0.0.

Explanation:

1) As per sections 179, a total of $212,000 is available for deduction, but the payment is related to taxable investment income as a restriction. Company revenue here is $5,600. Exemption is then decreased to $5,600 and holdover to nest year without $206,400 is the residual expense.

2) When we seek extra first-year expense, regardless of taxable business profits, we will claim the entire equipment costs as a deductible. So, Section 179 is going to be Zero and there's no reason to roll on to next term because in the first last year we were claiming maximum costs.

1. How do you understand the concept of the Asset Value of Whiteness, and what
effects does it have on racial wealth inequality in the United States?

Answers

The wealth gap between races is the most accurate way to depict the existence and increase of economic disparity along ethnic and racial boundaries.

What is  Asset Value?

The term" Asset Value" determines the value of holdings that a family or an organization carries. This asset can be their home, building, or machinery they acquired.

The essential role wealth plays in positive interdependence to manage their current financial issues and make investments for the future, the racial wealth gap is significant.

White Americans own 84% of the nation's wealth, while Black Americans hold 4% of it. Administration policies prevent people of color from accumulating wealth, which is why they hold a significant share of wealth.

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Briefly describe the seven-step process by which a company computes its income tax provision. Which step is the most difficult in your view? Explain.
At what point should a C-corporation assess the need of establishing a valuation allowance? What are the considerations for establishing a valuation allowance?
Briefly describe the two-step process a company must undertake when it evaluates whether it can record the tax benefit from an uncertain tax position under ASC 740-10 (FIN 48). What step would you say it more subjective?

Answers

The seven-step process by which a company computes its income tax provision is as follows:

1. Determine the taxable income: The company calculates its taxable income based on accounting principles and tax laws.

2. Identify temporary differences: Temporary differences arise when there are differences between the financial statement and tax basis of assets and liabilities.

3. Calculate deferred tax liabilities: Deferred tax liabilities are calculated by multiplying the temporary differences by the applicable tax rate.

4. Calculate deferred tax assets: Deferred tax assets are recognized for deductible temporary differences, tax loss carryforwards, and tax credits.

5. Assess realizability of deferred tax assets: The company evaluates if it is more likely than not that the deferred tax assets will be realized.

6. Calculate current tax expense: Current tax expense is determined by applying the applicable tax rate to taxable income.

7. Compute the income tax provision: The income tax provision is the combination of current tax expense and changes in deferred tax assets and liabilities.
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In the early 1960s, Honda entered the U.S. motorcycle market with the slogan, "You meet the nicest people on a Honda."During the next two decades, the Japanese company not only made motorcycling acceptable and fun but it also introduced motorcycles known for quality, dependability, and easy starting. By 1982, Japanese motorcycles had reached their peak sales in the United States. In the meantime, Harley-Davidson was plagued with quality and image problems. Do you think this should have been considered in the ITC’s recommendations or considered by President Reagan?
Assume that a domestic firm is not competitive in price and quality with foreign firms, but that competition by high tariffs protects it. What are the effects of the protection on the firm in the short term? How might it affect the firm’s competitiveness in the long term?

Answers

While protection may provide temporary benefits for a domestic firm, it is important to consider the long-term consequences and the potential negative impact on competitiveness and overall industry development.

The question about whether the success of Honda and the problems faced by Harley-Davidson should have been considered in the International Trade Commission's (ITC) recommendations or by President Reagan is subjective and depends on the specific context and objectives of trade policy at that time. However, it is possible that the experiences of Honda and Harley-Davidson could have provided valuable insights into the effects of competition, product quality, and market dynamics in the motorcycle industry.

Regarding the effects of protection on a domestic firm that is not competitive in price and quality, short-term protection in the form of high tariffs may provide temporary relief for the firm by limiting foreign competition and allowing it to maintain market share. The high tariffs artificially raise the prices of imported goods, making them less competitive compared to the protected domestic firm.

However, in the long term, the effects of protection can be detrimental to the firm's competitiveness. By shielding the domestic firm from international competition, protectionism may reduce the incentive for the firm to innovate, improve product quality, and become more efficient. Without the pressure to compete, the firm may become complacent and fail to adapt to changing market demands and advancements in technology. Over time, this can lead to a decline in the firm's competitiveness, making it more vulnerable to foreign competitors once protection is removed or reduced.

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an organization with a horizontal structure is also known as a flat organization because it often features only a few levels of organizational hierarchy. a. true b. false

Answers

The given statement "An organization with a horizontal structure is also known as a flat organization because it often features only a few levels of organizational hierarchy" is True because a horizontal organizational structure is also known as a flat organization due to its minimal levels of hierarchy.

In a flat organization, there are only a few layers of management, and the power is distributed more evenly across the organization. The focus of a flat organization is on creating a collaborative work environment that encourages open communication, teamwork, and a shared sense of responsibility.

A horizontal organizational structure differs from a traditional hierarchical structure, which has a tall pyramid-like structure with multiple levels of management. In a hierarchical structure, decisions are made at the top and filtered down through the ranks, which can create delays in decision-making and hinder innovation.

In contrast, a flat organizational structure empowers employees and encourages them to take ownership of their work and contribute to the overall success of the organization. It also promotes more flexibility and agility, allowing organizations to adapt quickly to changes in the market.

In conclusion, a horizontal organizational structure is also known as a flat organization due to its minimal levels of hierarchy. Such organizations aim to foster a collaborative work environment that encourages open communication, teamwork, and shared responsibility. The flat structure empowers employees, promotes flexibility and agility, and allows organizations to adapt quickly to changing market conditions.

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In the market for loanable funds, the __________ curve demonstrates the fact that as interest rates rise, people are willing to borrow less. As a result, this curve is __________.

Answers

In the market for loanable funds, the supply curve demonstrates the fact that as interest rates rise, people are willing to borrow less. As a result, this curve is steep slope.

What is supply curve?

Supply curve is a graphical representation,it shows how price of a good or service is related to the quantity of goods and services supplied.

This is done for a given period of time.

Therefore, In the market for loanable funds, the supply curve demonstrates the fact that as interest rates rise, people are willing to borrow less. As a result, this curve is steep slope.

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Tyreek pitches four investors. They agree to each invest $25,000 and value Tyreek's company at 200,000. How much of the company will Tyreek still own after the investment?

a) 41%
b) 45%
c) 50%
d) 56%

Answers

Answer:

50%

Explanation:

The percentage of the company which Tyreek will still own after the investment can be calculated as follows:

Value of Tyreek's company = $200,000

Total amount contributed by the four investors = $25,000 * 4 = $100,000

Let P represents the percentage of the company which Tyreek will still own after the investment.

Therefore, we have:

P = (Total amount contributed by the four investors / Value of Tyreek's company)

P = ($100,000 / $200,000)

P = 0.5 or 50%

Therefore, the percentage of the company which Tyreek will still own after the investment is c) 50%.

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O Search result Should a petrol station owner be allowed to charge Rupees 500 a litter, if his store is the only store with petrol​

Answers

If the store is the only store with petrol, the petrol owner should not do this as this is dishonest business practice. Thus the correct option is C.

What is the importance of ethics in business?

As defining appropriate behavior outside the scope of governmental regulation, business practices strengthen the law. People follow ethical principles when they tell the truth, maintain their commitment, or assist a stranger as  It controls people's conduct.

In the given case, it is asked that a petrol station owner be allowed to charge Rupees 500 a litter if his store is the only store with petrol​ is against the business ethics as having a single owner should exploit the consumers according to the business ethics principles.

Therefore, option C is appropriate.

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The complete question is Probably

A.

Yes, if the person is not a regular customer

B.

Yes, this is honest business practice.

C.

No, this is dishonest business practices

D.

It depends on how long he has been in business.

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